International Master in Financial Risk Management

POLIMI Graduate School of Management

Master

A Milano

18.500 € IVA inc.

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Descrizione

  • Tipologia

    Master

  • Luogo

    Milano

  • Durata

    12 Mesi

The International Master in Financial Risk Management (iMIFRIM) of MIP Politecnico di Milano, in partnership with Intesa Sanpaolo and Mediobanca, aims to train young graduates or those with a short spell of professional experience who have a strong motivation to undertake or accelerate a career in Financial Risk Management, where a correct management of financial risks, also in light of the digital transformation in progress, can be decisive for the creation of value.

*Starting from the 2022 intake – only in case of visa delays, travel barriers or other specific issues – it will be possible to join classes online only until December 31st.

Sedi e date

Luogo

Inizio del corso

Milano
Visualizza mappa
Via Lambruschini 4C - building 26/A , 20156

Inizio del corso

Consultare

Profilo del corso

Please note that this programme is designed for fresh graduates with ideally no more than 3 years of work experience. Candidates who have have more than 3 years of work experience may also consider our International MBA programs.

The ideal candidate:

Possesses leadership potential
Wishes to develop and advance their career in the area of Risk Management
Demonstrates well-developed analytical skills and business skills
Holds a 3 years Bachelor degree or a Master Degree in management, business, engineering or scientific studies (minimum 180 ECTS)

1 year: 6 months in class + 6 months Internship and Project work
100% in English
In sponsorship with Intesa Sanpaolo and Mediobanca.
In partnership with UnipolSai, TAS Group, Arval, Generali, Marsh, Anthilia SGR, BIP, Consultinvest, Iason, Aon, Atradius, AXA, Cembra Money Bank, Deloitte, Etica Sgr, Ersel, EY, Fideuram, Fidelitas S.p.a, Finance Active, KPMG, Mediolanum, Prometeia, SARAS, StatPro, Unicredit, Zurich Insurance.
2 key skills are encompassed:
Knowledge of financial world (corporate finance, financial intermediation, capital markets)
Information technology skills including Big Data and Data Analytics, IT and Digital, Cyber and Digital Risk
Including soft skills for professional development

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Opinioni

Materie

  • Management
  • Financial
  • Risk
  • Risk Management
  • Master

Programma

The International Master in Financial Risk Management aims to train professionals with specialized and complementary skills who are able to face the challenges of the context in which they will operate. In particular, the master includes the following practical activities: lessons, company presentations, project work in collaboration with companies, company visits, workshops and seminars.

The master is entirely taught in English.

Please note that this programme is designed for fresh graduates with ideally no more than 3 years of work experience. Candidates who have have more than 3 years of work experience may also consider our International MBA programs.

Chiama il centro

Hai bisogno di un coach per la formazione?

Ti aiuterà a confrontare vari corsi e trovare l'offerta formativa più conveniente.

International Master in Financial Risk Management

18.500 € IVA inc.